Components iShares MSCI Germany ETF - USD

ETF

0JF2

US4642868065

Market Closed - London S.E. 11:10:54 2023-12-15 am EST 5-day change 1st Jan Change
29.3 USD +8.24% Intraday chart for iShares MSCI Germany ETF - USD -.--% -.--%

Composition of iShares MSCI Germany ETF - USD

Weight
177.2 EUR -1.77%-1.54%+27.06%11.55%
177.3 EUR -0.93%+2.08%+4.32%10.24%
265.9 EUR -0.11%-0.49%+9.90%7.74%
21.72 EUR -0.18%-1.85%-0.14%5.59%
459.2 EUR -0.71%-0.37%+22.42%4.06%
66.38 EUR +0.14%-0.64%+6.12%3.98%
38.28 EUR +0.59%+5.32%+1.28%3.91%
39.2 EUR +0.41%+0.05%-12.61%3.53%
48.22 EUR -1.12%-1.91%-1.16%3.45%
178.2 EUR -2.57%-3.52%-4.45%2.81%
27.8 EUR -1.66%-1.82%-17.34%2.62%
93.8 EUR +0.11%-1.08%-6.93%2.55%
222.3 EUR -0.18%-2.50%+20.71%2.37%
12.4 EUR -0.40%-2.36%+2.06%2.16%
35.03 EUR +0.03%+1.77%-14.93%2.06%
15.67 EUR -0.28%+0.73%+26.71%1.90%
123.3 EUR +2.41%+3.48%+10.29%1.83%
28.53 EUR +1.93%-0.83%-0.04%1.66%
167.6 EUR +0.15%+1.18%+16.34%1.48%
39.52 EUR +0.20%+0.74%+16.17%1.44%
53.82 EUR +0.04%+0.75%+2.32%1.18%
143.9 EUR -1.37%-1.61%+6.04%1.08%
107.2 EUR +0.99%+3.23%+7.54%1.05%
223 EUR -1.68%-1.85%+3.10%1.03%
523.6 EUR -1.62%-0.65%+82.44%0.99%
82.5 EUR -1.39%-2.11%+13.23%0.98%
29.23 EUR +0.10%+6.21%+4.13%0.94%
65.48 EUR -0.27%-5.10%-21.32%0.92%
15.74 EUR +0.96%+0.61%+46.28%0.90%
98.6 EUR -1.22%+0.90%+21.82%0.90%
229.8 EUR -1.84%+0.04%+17.70%0.83%
49.5 EUR -0.42%-0.86%-6.04%0.81%
75.42 EUR -0.55%-5.23%-5.61%0.72%
249.3 EUR -1.70%-7.84%-25.18%0.69%
61.96 EUR -0.26%+0.58%-19.45%0.67%
39.32 EUR +1.42%-0.71%+3.58%0.62%
50.34 EUR +0.84%+1.84%+8.68%0.56%
26.83 EUR +3.91%+11.79%+123.58%0.49%
38.66 EUR -0.46%+2.49%+2.57%0.49%
82.12 EUR +1.91%-3.30%+3.53%0.47%
47.21 EUR -2.01%-5.50%-6.55%0.42%
70.05 EUR -2.03%-2.44%+9.18%0.38%
6.478 EUR +0.19%+0.06%-19.51%0.38%
24.03 EUR -0.08%+0.29%+12.03%0.38%
88.5 EUR -2.80%-2.48%+12.77%0.36%
29.53 EUR 0.00%-1.57%+18.07%0.35%
20.31 EUR +0.10%+0.49%+9.78%0.34%
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Description

US4642868065
Total Expense Ratio 0.50%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Germany Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
1996-03-10
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 865 M€
AuM 1M 926 M€
AuM 3 months 928 M€
AuM 6 months 994 M€
AuM 12 months 1,642 M€
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